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Conversation with the Portfolio Manager: Mid-Cap Growth Strategy

Brown Advisory

Conversation with the Portfolio Manager: Mid-Cap Growth Strategy achen Wed, 09/20/2017 - 16:43 Over time, the Brown Advisory small-cap growth team, led by Christopher Berrier and George Sakellaris, watched numerous successful investments compound and grow out of their investible universe. Q: Can you describe your investment process?

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Conversation with the Portfolio Manager: Mid-Cap Growth Strategy

Brown Advisory

Conversation with the Portfolio Manager: Mid-Cap Growth Strategy. While this was frustrating at times, it produced a valuable asset – a sizeable library of fully vetted “up cap” growth ideas. While both mid-cap portfolio managers believe their experience gives them an advantage, other factors set them apart as well.

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Market Commentary: Carson Investment Research Looks at the Year Ahead

Carson Wealth

Our LEI places less emphasis on manufacturing and business sentiment and more on consumer spending, which makes up roughly two-thirds of the economy, than some widely followed LEIs. high technology manufacturing base in the last year has been extraordinary. In addition, the investment in the U.S.

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Market Commentary: Top Charts From 2023 Set the Scene For 2024

Carson Wealth

Carson’s team provides its top charts that tell the story of 2023, including the four-year presidential cycle, high-tech manufacturing, bond yields, equity style performance, and a certain chipmaker that received a lot of attention. The year 2022 was painful across asset classes (sorry to bring it up!), economy, despite the skeptics.

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Best Small Cap Stocks With High ROE To Add To Your Watchlist

Trade Brains

The shareholders’ equity can be found on the balance sheet and is the difference between a company’s assets and liabilities. A higher ROE indicates higher earnings on equity and more efficient management of the business. Stock P/E 52.22 RoE 53.79 % RoCE 72.47 % Promoter Holding 73.72% Current ratio 1.71

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Nothing Changes Market Sentiment Like Price

David Nelson

stocks sometimes to the exclusion of most other asset classes. The Wall Street Journal is reporting that (AAPL) could see a 6 million iPhone Pro shortfall as unrest spreads throughout China’s manufacturing centers. By David Nelson, CFA. Investors have a myopic focus on U.S.

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Global Leaders Strategy Investment Letter: August 2023

Brown Advisory

Factor risk is best described as any exposure that can explain the portfolio returns other than the individual investments, such as a “theme” or a sector. In this example, the stock picking hardly matters anymore – the portfolio is predominantly a sector bet and hence has a large factor risk. Numbers may not total due to rounding.